Kec Corporation

KRX:092220.KS

975 (KRW) • At close September 20, 2024
Overview | Financials

Cijfers zijn in miljoenen (behalve de cijfers per aandeel en de ratio's) KRW.

20232022202120202019201820172016201520142013201220112010200920082007
Operationele Activiteiten:
Nettowinst -38,136.55822,270.610,173.157-44,855.951-19,726.0911,752.6731,365.0175.022523.4793,237.232-28,033.543-52,659.479-40,258.079-49,142.759-19,799.662-2,257.7991,609.407
Afschrijvingen & Amortisatie 14,097.72311,118.1547,933.1437,358.4899,216.68611,618.13513,180.4914,492.0718,175.67921,318.17428,553.95233,553.7740,655.76425,443.63835,089.58531,937.67831,896.638
Uitgestelde Inkomstenbelasting -13,274.787016,360.2345,011.18623,000.2342,189.40700000000000
Aandelen Gebaseerde Vergoedingen 1,574.9711,716.033517.3214.9916.36718.56200000000000
Verandering in Werkkapitaal 10,060.911-31,378.003-8,864.2194,890.3222,929.979,955.16-8,487.87110,979.161-13,097.966-27,585.682874.02615,767.004-26,370.80417,208.733-20,111.153-28,378.567-26,245.302
Vorderingen 1,195.7148,023.2835,013.52-2,208.7648,452.54912,659.556-3,105.51517,870.381-7,877.90700000000
Voorraden 18,401.149-46,434.665-6,090.6124,752.4352,969.1611,841.961-1,660.0261,246.4671,428.728-5,898.04311,714.96530,319.745-17,686.891-10,657.13215,974.717-23,223.912-7,059.156
Crediteuren -3,101.23310,198.453816.1126,546.198-4,166.986-2,235.782-123.334-3,345.573-5,549.92900000000
Overig Werkkapitaal -6,434.719-3,165.074-8,603.239-4,199.547-4,324.7548,113.199-6,827.8459,732.693-14,526.693-21,687.639-10,840.939-14,552.741-8,683.91227,865.865-36,085.87-5,154.655-19,186.146
Overige Niet-Contante Posten 25,005.4963,019.1471,101.2011,821.4982,126.5512,435.3616,371.1355,409.7141,105.086-1,545.8216,999.75717,161.59613,900.46630,810.81-1,751.43713,106.0425,290.938
Kasstroom uit Operationele Activiteiten -672.2446,745.93127,220.83314,230.53417,563.71727,969.29812,428.76430,955.9676,706.278-4,576.0988,394.19213,822.892-12,072.65324,320.422-6,572.66714,407.35412,551.681
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -10,628.025-41,277.918-16,119.265-6,003.827-11,306.806-4,986.268-5,355.243-14,909.787-12,146.759-1,586.199-6,337.315-3,627.248-14,686.912-60,269.811-39,996.394-38,904.361-36,092.954
Netto Overnames 1,785.3672.239363.272-8.1924.8594.061786.805422.7894,317.293,292.187726.80506,126.9891,709.5873,199.473516.4772,606.125
Aankoop van Beleggingen -102,591.566-51,172.512-69,296.997-46,486.386-14,396.311-7,386.802-740.361-16,433.02-18,406.575-2,450.288-5,220.7340-1,193.711-67,599.796-40,042.867-44.97-8,346.064
Verkoop/verval van Beleggingen 32,368.71189,454.88668,550.0976,101.6257,555.0992,222.6667,987.9492,280.13617,140.9861,002.4966,863.8085,004.0173,861.76260,199.10447,773.4468,648.9728
Overige Investeringsactiviteiten 754.293-2,840.6357.376114.1723.601369.98182.962-412.409-4.47222,777.329114.5792,058.994430.374-472.9632,106.612-127.7473,150.221
Kasstroom uit Investeringsactiviteiten -78,311.227-5,763.94-16,495.517-46,282.608-18,139.567-9,686.3622,762.113-29,052.291-9,099.5323,035.526-3,852.8563,435.763-5,461.498-66,433.879-26,959.73-29,911.631-38,654.672
Financieringsactiviteiten:
Schuldaflossingen -3,265.32-76,412.556-36,821.744-47,877.04-60,809.073-81,197.242-78,232.81-155,325.567-144,313.77-154,463.967-175,070.807-224,847.843-122,771.382-31,672.052-224,819.263-36,440.703-25,183.397
Uitgifte van Gewone Aandelen 95,266.23819.54440.32000022,590.590029,950.19119,093.110,500037,51500
Terugkoop van Gewone Aandelen -1,060.584000000000-1.665000000
Uitgekeerde Dividenden -8,685.7530000-1,330.26200000000000
Overige Financieringsactiviteiten 8.2159,494.02630,525.03283,471.83659,741.74972,921.04956,245.606139,841.192145,201.403129,451.81269,122.819183,175.239137,514.49278,362.239222,087.16645,354.50852,270.148
Kasstroom uit Financieringsactiviteiten 82,262.791-16,898.986-6,256.39135,594.796-1,067.324-9,606.455-21,987.2047,106.215887.633-25,012.157-10,560.871-22,579.50325,243.1146,690.18734,782.9038,913.80527,086.751
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -48.618-559.74597.301-175.362-20.1718.786-189.02940.076-5.043316.716127.734-2.17-3.6251,469.031-6,056.576-6,413.0671,039.996
Netto Kasstroomverandering 3,230.702-16,476.7394,566.2263,367.36-1,663.3448,695.267-6,985.3569,049.967-1,510.662-6,236.013-5,891.801-5,323.0197,705.3356,045.761-4,806.071-13,003.542,023.756
Kaspositie aan het Einde van de Periode 10,269.167,038.45723,515.19718,948.97115,581.61117,244.9568,549.68815,535.0446,485.0777,995.73914,231.75220,123.55325,446.57217,741.23711,695.47616,501.54729,505.087